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Publications Search Results
May 21, 2013
The Search found
42
of
10937
documents sorted by
Date
with the following criteria:
Subject/Keyword:
portfolio
Results:
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1.
Title:
Exchange Rate Fluctuations and International Portfolio Rebalancing in Thailand
Author/Editor:
Gyntelberg, Jacob ; Loretan, Mico ; Tientip, Subhanij
Series:
Working Paper No. 12/214
Published:
August 01, 2012
Subject(s):
Exchange rates
|
Exchange markets
|
Investment
|
Stock markets
|
Exchange rate appreciation
|
Thailand
Author's Keyword(s):
Foreign exchange market
|
capital flows
|
equity market
|
portfolio rebalancing
2.
Title:
Financial Linkages across Korean Banks
Author/Editor:
Aydin, Burcu ; Kim, Myeong-Suk ; Moon, Ho-Seong
Series:
Working Paper No. 11/201
Published:
August 01, 2011
Subject(s):
Banks
|
Credit risk
|
Economic models
|
Financial risk
|
Korea, Republic of
Author's Keyword(s):
Financial Stability
|
network approach
|
covariance analysis
|
portfolio risk
3.
Title:
Investment Objectives of Sovereign Wealth Funds - A Shifting Paradigm
Author/Editor:
Kunzel, Peter ; Lu, Yinqiu ; Petrova, Iva ; Pihlman, Jukka
Series:
Working Paper No. 11/19
Published:
January 01, 2011
Subject(s):
Asset management
|
Investment policy
|
Resource allocation
|
Sovereign wealth funds
Author's Keyword(s):
Sovereign Wealth Funds
|
Portfolio Choice
|
Investment and Risk Management
|
Government Policy and Regulation
4.
Title:
Regulatory Capital Charges for Too-Connected-to-Fail Institutions: A Practical Proposal
Author/Editor:
Chan-Lau, Jorge A.
Series:
Working Paper No. 10/98
Published:
April 01, 2010
Subject(s):
Bank regulations
|
Banking sector
|
Capital
|
Credit risk
|
Financial crisis
|
Financial institutions
|
Financial risk
|
Financial stability
|
Global Financial Crisis 2008-2009
|
Globalization
|
International financial system
Author's Keyword(s):
Regulatory capital
|
too-connected-to-fail
|
incremental portfolio
|
financial institutions
|
CoRisk
|
netwrok analysis
|
perimeter of regulation
|
systemic risk
5.
Title:
Global Imbalances: In Midstream?
Author/Editor:
Blanchard, Olivier J. ; Milesi-Ferretti, Gian Maria
Series:
Staff Position Note No. 2009/29
Published:
December 22, 2009
Subject(s):
Asset prices
|
Capital flows
|
Capital markets
|
Cross country analysis
|
Current account deficits
|
Current account surpluses
|
Financial crisis
|
Fiscal policy
|
Global Financial Crisis 2008-2009
|
International financial system
|
Private investment
|
Private savings
Author's Keyword(s):
Current account deficits
|
saving
|
investment
|
portfolio choice
6.
Title:
Elasticity Optimism
Author/Editor:
Imbs, Jean ; Mejean, Isabelle
Series:
Working Paper No. 09/279
Published:
December 01, 2009
Subject(s):
Consumer goods
|
Data analysis
|
Economic models
|
Exports
|
Imports
|
International trade
|
Monetary policy
|
United States
Author's Keyword(s):
Trade Elasticities
|
Heterogeneity
|
Calibration
|
Global Imbalances
|
International Portfolio
|
Monetary Policy
7.
Title:
International Risk Sharing: Through Equity Diversification or Exchange Rate Hedging?
Author/Editor:
Engel, Charles ; Matsumoto, Akito
Series:
Working Paper No. 09/138
Published:
July 01, 2009
Subject(s):
Asset prices
|
Bonds
|
Consumer goods
|
Domestic investment
|
Economic models
|
Exchange rates
|
Financial risk
|
Flexible pricing policy
|
Foreign exchange
|
Hedge funds
|
Price elasticity
|
Prices
|
Private investment
|
Stock prices
Author's Keyword(s):
International portfolio choice
|
international risk sharing
|
international diversification
8.
Title:
Inflation Hedging for Long-Term Investors
Author/Editor:
Attie, Alexander P. ; Roache, Shaun K.
Series:
Working Paper No. 09/90
Published:
April 01, 2009
Subject(s):
Inflation
|
Capital markets
|
Private investment
|
Financial instruments
|
Hedge funds
|
Commodities
|
Asset prices
|
Economic models
Author's Keyword(s):
Inflation
|
Hedging
|
Investments
|
Portfolio Allocation
|
Diversification.
9.
Title:
International Currency Portfolios
Author/Editor:
Kumhof, Michael
Series:
Working Paper No. 09/48
Published:
March 01, 2009
Subject(s):
Monetary systems
|
Currencies
|
International bond markets
|
Fiscal policy
|
Monetary policy
|
Money supply
|
Exchange rates
|
External shocks
|
External debt
|
Economic models
Author's Keyword(s):
Portfolio balance theory
|
imperfect asset substitutability
|
interest parity
|
open market operations
10.
Title:
The International Diversification Puzzle when Goods Prices are Sticky: It's Really about Exchange-Rate Hedging, not Equity Portfolios
Author/Editor:
Engel, Charles ; Matsumoto, Akito
Series:
Working Paper No. 09/12
Published:
January 01, 2009
Subject(s):
Private investment
|
Foreign exchange
|
Commodity prices
|
Capital markets
|
Asset management
|
Economic models
Author's Keyword(s):
international risk sharing
|
international portfolio allocation
|
exchange rate hedging
|
equity home bias international risk sharing
|
international portfolio allocation
|
exchange rate hedging
|
equity home bias
11.
Title:
Banking Stability Measures
Author/Editor:
Segoviano Basurto, Miguel A. ; Goodhart, C. A. E.
Series:
Working Paper No. 09/4
Published:
January 01, 2009
Subject(s):
Financial stability
|
Financial risk
|
Banking systems
|
Data analysis
|
Economic models
Author's Keyword(s):
Financial stability
|
portfolio risk
|
copula functions
|
entropy distribution.
12.
Title:
Does Openness to International Financial Flows Raise Productivity Growth?
Author/Editor:
Kose, M. Ayhan ; Prasad, Eswar ; Terrones, Marco
Series:
Working Paper No. 08/242
Published:
October 01, 2008
Subject(s):
Capital flows
|
Productivity
|
Production growth
|
Capital account
|
Foreign direct investment
|
Development
|
Debt
|
Economic models
Author's Keyword(s):
Financial openness
|
capital account liberalization
|
capital flows
|
external assets and liabilities
|
foreign direct investment
|
portfolio equity
|
debt
|
total factor productivity
13.
Title:
Country Portfolio Dynamics
Author/Editor:
Devereux, Michael B. ; Sutherland, Alan
Series:
Working Paper No. 07/283
Published:
December 01, 2007
Subject(s):
Bonds
|
International bond markets
Author's Keyword(s):
Country portfolios
|
solution methods
14.
Title:
Do Reserve Portfolios Respond to Exchange Rate Changes Using a Portfolio Rebalancing Strategy? An Econometric Study Using COFER Data
Author/Editor:
Lim, Ewe-Ghee
Series:
Working Paper No. 07/293
Published:
December 01, 2007
Subject(s):
Exchange rates
|
Reserves
|
euro
|
U.S. dollar
|
Exchange markets
Author's Keyword(s):
Reserves
|
portfolio rebalancing
|
Dollars
|
Euros
|
COFER
15.
Title:
Solving for Country Portfolios in Open Economy Macro Models
Author/Editor:
Devereux, Michael B. ; Sutherland, Alan
Series:
Working Paper No. 07/284
Published:
December 01, 2007
Subject(s):
Payments imbalances
|
Markets
|
Trade
|
Bonds
Author's Keyword(s):
Country portfolios
|
solution methods
16.
Title:
International Diversification Gains and Home Bias in Banking
Author/Editor:
García-Herrero, Alicia ; Vázquez, Francisco F.
Series:
Working Paper No. 07/281
Published:
December 01, 2007
Subject(s):
International banking
|
Bonds
|
Bank regulations
|
Emerging markets
Author's Keyword(s):
International banking
|
home bias
|
portfolio diversification
|
Basel II
17.
Title:
Financial Globalization and Monetary Policy
Author/Editor:
Devereux, Michael B. ; Sutherland, Alan
Series:
Working Paper No. 07/279
Published:
July 01, 2007
Subject(s):
Globalization
|
Monetary policy
|
Capital flows
|
Exchange rate instability
|
International capital markets
Author's Keyword(s):
Portfolio choice
|
international risk sharing
18.
Title:
Globalization, Gluts, Innovation or Irrationality: What Explains the Easy Financing of the U.S. Current Account Deficit?
Author/Editor:
Balakrishnan, Ravi ; Bayoumi, Tamim ; Tulin, Volodymyr
Series:
Working Paper No. 07/160
Published:
July 01, 2007
Subject(s):
Current account
|
United States
|
External debt
|
Deficit financing
|
Financial instruments
|
Globalization
|
Savings
|
Economic models
Author's Keyword(s):
U.S current account
|
financing
|
home bias
|
global savings glut
|
portfolio balance
|
ICAPM
19.
Title:
The Role of Nonseparable Utility and Nontradeables in International Business Cycle and Portfolio Choice
Author/Editor:
Matsumoto, Akito
Series:
Working Paper No. 07/163
Published:
July 01, 2007
Subject(s):
Asset management
|
Business cycles
|
Financial integration
|
Investment
|
Risk management
|
Economic models
Author's Keyword(s):
International business cycle
|
international portfolio choice
|
nonseparability in utility
|
nontraded goods
|
nontraded factors
20.
Title:
Global Imbalances and Financial Stability
Author/Editor:
Xafa, Miranda
Series:
Working Paper No. 07/111
Published:
May 01, 2007
Subject(s):
Balance of payments
|
Current account balances
|
Adjustment process
|
United States
|
Globalization
Author's Keyword(s):
Global imbalances
|
portfolio balance
|
asset shortages
|
financial globalization
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